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The present study argues that variation across listeners in the perception of a non-native contrast is due to two factors: the listener-specic weighting of auditory dimensions and the listener-specic construction of new segmental representations. The interaction of both factors is shown to take place in the perception grammar, which can be modelled within an OT framework. These points are illustrated with the acquisition of the Dutch three-member labiodental contrast [V v f] by German learners of Dutch, focussing on four types of learners from the perception study by Hamann and Sennema (2005a).
Arguing against Bhat’s (1974) claim that retroflexion cannot be correlated with retraction, the present article illustrates that retroflexes are always retracted, though retraction is not claimed to be a sufficient criterion for retroflexion. The cooccurrence of retraction with retroflexion is shown to make two further implications; first, that non-velarized retroflexes do not exist, and second, that secondary palatalization of retroflexes is phonetically impossible. The process of palatalization is shown to trigger a change in the primary place of articulation to non-retroflex. Phonologically, retraction has to be represented by the feature specification [+back] for all retroflex segments.
Glide formation, a process whereby an underlying high front vowel is realized as a palatal glide, is shown to occur only in unstressed prevocalic position in German, and to be blocked by specific surface restrictions such as *ji and *ʁj. Traditional descriptions of glide formation (including derivational as well as Optimality theoretic approaches) refer to the syllable in order to capture its conditions. The present study illustrates that glide formation (plus the distribution of long and short tense /i/) in German can better be captured in a Functional Phonology account (Boersma 1998) which makes reference to stress instead of the syllable and thus overcomes problems of former approaches.
This article examines the motivation for phonological stop assibilations, e.g. /t/ is realized as [ts], [s] or [tʃ] before /i/, from the phonetic perspective. Hall & Hamann (2003) posit the following two implications: (a) Assibilation cannot be triggered by /i/ unless it is also triggered by /j/, and (b) Voiced stops cannot undergo assibilations unless voiceless ones do. In the following study we present the results of three acoustic experiments with native speakers of German and Polish which support implications (a) and (b). In our experiments we measured the friction phase after the /t d/ release before the onset of the following high front vocoid for four speakers of German and Polish. We found that the friction phase for /tj/ was significantly longer than that of /ti/, and that the friction phase of /t/ in the assibilation context is significantly longer than that of /d/.
In this article we propose that there are two universal properties for phonological stop assibilations, namely (i) assibilations cannot be triggered by /i/ unless they are also triggered by /j/, and (ii) voiced stops cannot undergo assibilations unless voiceless ones do. The article presents typological evidence from assibilations in 45 languages supporting both (i) and (ii). It is argued that assibilations are to be captured in the Optimality Theoretic framework by ranking markedness constraints grounded in perception which penalize sequences like [ti] ahead of a faith constraint which militates against the change from /t/ to some sibilant sound. The occurring language types predicted by (i) and (ii) will be shown to involve permutations of the rankings between several different markedness constraints and the one faith constraint. The article demonstrates that there exist several logically possible assibilation types which are ruled out because they would involve illicit rankings.
The present study offers an Optimality-Theoretic analysis of the syllabification of intervocalic consonants and glides in Modern English. It will be argued that the proposed syllabifications fall out from universal markedness constraints – all of which derive motivation from other languages – and a language-specific ranking. The analysis offered below is therefore an alternative to the traditional rule-based analyses of English syllabification, e.g. Kahn (1976), Borowsky (1986), Giegerich (1992, 1999) and to the Optimality-Theoretic treatment proposed by Hammond (1999), whose analysis requires several language-specific constraints which apparently have no cross-linguistic motivation.
Since the advent of nonlinear phonology many linguists have either assumed or argued explicitly that many languages have words in which one or more segment does not belong structurally to the syllable. Three commonly employed adjectives used to describe such consonants are 'extrasyllabic', 'extrametrical' or 'stray'. Other authors refer to such segments as belonging to the 'appendix'. [...] Various non-linear representations have been proposed to express the 'extrasyllabicity' of segments [...]. The ones I am concerned with in the present article analyze [...] consonants [...] structurally as being outside of the syllable [...]. For transparency I ignore here both subsyllabic constituency as well as higher level prosodic constituents to which the stray consonants are sometimes assumed to attach. For reasons to be made clear below I refer to syllables [...] in which the stray consonant is situated outside of the syllable, as abstract syllables.
The present study examines a particular kind of rule blockage – referred to below as an 'antistructure-preservation effect'. An anti-structure-preservation effect occurs if some language has a process which is preempted from going into effect if some sequence of sounds [XY] would occur on the surface, even though other words in the language have [XY] sequences (which are underlyingly /XY/). It will be argued below that anti-structure-preservation effects can be captured in Optimality Theory in terms of a general ranking involving FAITH and MARKEDNESS constraints and that individual languages invoke a specific instantiation of this ranking. A significant point made below is that while anti-structure-preservation effects can be handled straightforwardly in terms of constraint rankings they typically require ad hoc rule-specific conditions in rule-based approaches.
The distribution of trimoraic syllables in German and English as evidence for the phonological word
(2000)
In the present article I discuss the distribution of trimoraic syllables in German and English. The reason I have chosen to analyze these two languages together is that the data in both languages are strikingly similar. However, although the basic generalization in (1) holds for both German and English, we will see below that trimoraic syllabIes do not have an identical distribution in both languages.
In the present study I make the following theoretical claims. First, I argue that the three environments in (1) have a property in common: they all describe the right edge of a phonological word (or prosodic word; henceforth pword). From a formal point of view, I argue that a constraint I dub the THIRD MORA RESTRICTION (henceforth TMR), which ensures that trimoraic syllables surface at the end of a pword, is active in German and English. According to my proposal trimoraic syllables cannot occur morpheme-internally because monomorphemic grammatical words like garden are parsed as single pwords. Second, I argue that the TMR refers crucially to moraic structure. In particular, underlined strings like the ones in (1) will be shown to be trimoraic; neither skeletal positions nor the subsyllabic constituent rhyme are necessary. Third, the TMR will be shown to be violated in certain (predictable) pword-internal cases, as in Monde and chamber; I account for such facts in an OptimalityTheoretic analysis (henceforth OT; Prince & Smolensky 1993) by ranking various markedness constraints among themselves or by ranking them ahead of the TMR. Fourth, I hold that the TMR describes a concrete level of grammar, which I refer to below as the 'surface' representation. In this respect, my treatment differs significantly from the one proposed for English by Borowsky (1986, 1989), in which the English facts are captured in a Lexical Phonology model by ordering the relevant constraint at level 1 in the lexicon.
On the syntax and pragmatics interface : Left-peripheral, medial and right-peripheral focus in greek
(2004)
The present paper explores the extent to which narrow syntax is responsible for the computation of discourse functions such as focus/topic. More specifically, it challenges the claim that language approximates ‘perfection’ with respect to economy, conceptual necessity and optimality in design by reconsidering the roles and interactions of the different modules of the grammar, in particular of syntax and phonology and the mapping between the two, in the representation of pragmatic notions. Empirical and theoretical considerations strongly indicate that narrow syntax is ‘blind’ to properties and operations involving the interpretive components — that is, PF and LF. As a result, syntax-phonology interface rules do not ‘see’ everything in the levels they connect. In essence, the architecture of grammar proposed here from the perspective of focus marking necessitates the autonomy of the different levels of grammar, presupposing that NS is minimally structured only when liberated from any non-syntactic/discourse implementations, i.e., movement operations to satisfy both interface needs. As a result, the model articulated here totally dispenses with discourse projections, i.e. FocusP.
Experimental studies investigating logical reasoning performance show very high error rates of up to 80% and more. Previous research identified scalar inferences of the sentences of logical arguments as a major error source. We present new analytical tools to quantify the impact of scalar inferences on syllogistic reasoning. Our proposal builds on a new classification of Aristotelian syllogisms and a closely linked classification of reasoning behaviors/strategies.
We argue that the variation in error rates across syllogistic reasoning tasks is in part due to individual variation: reasoners follow different reasoning strategies and these strategies play out differently for syllogisms of different classes.
Starting from a consideration of the internal make-up of adverbial clauses this paper shows that the widespread assumption that fronted arguments in English and CLLD constituents in Romance occupy the same position leads to a number of problems. I will conclude that the position occupied by English topicalized arguments differs from that of the CLLD topics in Romance. In particular, English topics occupy a higher position in the left periphery. The final part of the paper compares three proposals for the lower topic position in Romance.
In this paper, data from a current study on bilingual language acquisition and language promotion of children is presented. 96 narratives from 32 Turkish-German and Russian-German bilingual children were examined with regard to the acquisition of narrative ability in three rounds of tests. The macrostructure of each narrative was evaluated based on the theories of Westby (2005), Stein and Glenn (1977) and Gagarina et al. (2012). In the quantitative analysis, the factor age of onset (AoO) was considered and therefore, two hypotheses were introduced: 1) There is an influence of AoO on the narrative ability of L2 German bilingual children. And 2) The narrative ability will converge over time and after three years there will be no difference between the groups. Neither of those hypotheses could be confirmed by the examined narrative data. Hence, other influences on narrative ability were discussed in the last chapter and prospects for further research were given. In sum, the article shows that more narrative data of these children should be collected to make a comprehensive conclusion about the influence of AoO on narrative ability.
Khoekhoe syntax exhibits an unusually flexible constituent structure. Any constituent with a lexical head can be preposed into the focal initial slot immediately before the PGN-marker that marks the subject position. Two strategies of focalisation by foregrounding need to be distinguished: inversion and fronting. Inversion amounts to an inversion of subject and predicate in their entirety. Such sentences have two readings, though, according to their underlying constituent structure: "predicative" or "copulative". Fronting amounts to the preposing of a lexical constituent into the focal initial slot, with subsequent dislocation of the lexical specification of the subject from that slot.
The present analysis has wider implications, particularly: The generally accepted view that Khoekhoe has coreferential/equational "copulative" sentences of the type NPsubject = NPcomplement is a fallacy. Such sentences actually are sentences with their predicate fronted into the focal initial slot. They amount to cleft constructions.
The fact that the primary focal position is immediately before the PGNmarker of the subject is further independent evidence for the "desentential hypothesis", according to which subject and object NPs in the underlying matrix sentence consist of only an enclitic PGN-marker, and for the claim that Khoekhoe underlyingly is a SVO language, not a SOV language as generally held. By implication these findings affect the analysis of other Central Khoesaan languages.
In der deutschen Gegenwartssprache sind die Funktionsverbgefüge (FVG) die über lange Zeit vor allem nur unter stilistischen Gesichtpunkten betrachtet und meist als schlechter Stil abgewertet wurden, mit dem Aufsatz Peter von Polenz (1963) in zunehmendem Maße in das Blickfeld der linguistischen Untersuchungen getreten. In den folgenden Jahren erschienen mehrere Arbeiten zu den FVG, in denen vor allem ihre semantischen, syntaktischen und kommunikativen Leistungen untersucht worden. Die als FVG in der Fachliteratur erfassten Konstruktionen bestehen bekanntlich aus einem Funktionsverb(FV) und einem deverbativen Substantiv, auch manchmal nomen actionis genannt. Funktionsverb und Verbalsubstantiv bilden zusammen sowohl strukturell als auch semantisch eine lexikalische Einheit, z. B. Kritik üben; in Verbindung treten. Kennzeichnend für diese Einheiten ist, dass die eigentliche Bedeutung der FVG im Substantiv liegt, während das Verb der ganzen Einheit nur eine grammatisch-syntaktische Funktion ausübt. Auch im Türkischen sind derartige aus Verben und Verbalsubstantiven bestehende Fügungen vorhanden. Sie stimmen im Hinblick auf ihre Konstruktionen mit den FVG im Deutschen überein […]. Die vorliegende Arbeit verfolgt das Ziel, die Fragen zu erörtern, wie die FVG und VF gebildet werden und welche syntaktischen Konstruktionen dieser FVG und VF ermöglicht werden. Das Hauptaugenmerk gilt den semantischen und syntaktischen Funktionen dieser sprachlichen Phänomene. Dabei geht es weniger darum, die Formen und Funktionen der FVG und VF bis ins kleinste Detail darzustellen. Hier werden vielmehr ihre Formen und Funktionen behandelt, die für eine kontrastive Betrachtung interessant. Die Arbeit hat vor allem theoretischen Charakter und sie ist nicht an einem Korpus orientiert. Die Beschreibung basiert auf der eigene Sprachkompetenz.
This paper deals with the development of discourse competence in German-, Russian- and Bulgarian-speaking children. In particular, it examines the use of anaphoric pronominal reference in elicited narrations of children between the ages of 2;6 and 6;0. As the pronominal (and nominal) systems of target German, Russian and Bulgarian differ in the repertoire and functions of anaphoric elements we will examine which kind of noun phrases children use to make reference to story participants. In a second step of the analysis, we will investigate how pronominal expressions relate to antecedents. In this respect the pronominal form of the anaphor, the syntactic function of the antecedent and the distance between antecedent and anaphor will be analyzed. The findings will be discussed with regard to predictions made by proposals such as the Complementary Hypothesis (Bosch, Rozario, and Zhao 2003) which assumes an asymmetry between the use of personal pro-nouns and demonstrative pronouns when referring back to subject or object antecedents.
In this paper the first results concerning the development of early verb morphology in an L1-English speaking child are presented. Adopting the framework of morphological development of Dressler (Dressler, this volume) the data of a girl from the CHILDES database, Nina of the Suppes corpus, is analysed with regard to the emergence of early verbal categories (e.g. number and person) and their appearance in a first mini-paradigm. In the sessions analysed so far the child Nina has reached an age of 2;2 when the first mini-paradigm emerges.
The ultimate goal of the study is to examine the acquisition of intensifiers in English and German. In this paper an overview of the first results regarding four L1 English-speaking children will be given. Contrary to previous claims in the literature (e.g. Thomas 1990), it will be argued that intensifiers are used by children in early phases of language acquisition. Intensifiers play an important role in early phases of language acquisition since they can be used to express the wish either to be included or excluded in a certain action and thus contribute to structuring a central aspect of the child's discourse.
Information structure
(2007)
This paper discusses a variant of German V2 declaratives sharing properties with both subordinate relative clauses and main clauses. I argue that modal subordination failure helps decide between two rivaling accounts for this construction. Thus, a hypotactic analysis involving syntactic variable sharing must be preferred over parataxis plus anaphora resolution. The scopal behavior of the construction will be derived from its 'proto-assertional force,' which it shares with similar 'embedded root' constructions.
This paper proposes a new strategy for accounting for the narrow scope readings of quantificational contrastive topics in Hungarian, which is based on a consideration of the types of questions that declaratives with such contrastive topics can be uttered as partial or complete congruent answers to. The meaning of the declaratives with contrastive topics will be represented with the help of the structured meaning approach to matching questions proposed in Krifka 2002.
Locative inversion in Cuwabo
(2014)
This paper proposes a detailed description of locative inversion (LI) constructions in Cuwabo, in terms of morphosyntactic properties and thematic restrictions. Of particular interest are the use of disjoint verb forms in LI, and the co-existence of formal and semantic LI, which challenges the widespread belief that the two constructions cannot be found in the same language.
Three dimensions can be distinguished in a cross-linguistic account of information structure. First, there is the definition of the focus constituent, the part of the linguistic expression which is subject to some focus meaning. Second and third, there are the focus meanings and the array of structural devices that encode them. In a given language, the expression of focus is facilitated as well as constrained by the grammar within which the focus devices operate. The prevalence of focus ambiguity, the structural inability to make focus distinctions, will thus vary across languages, and within a language, across focus meanings.
This paper presents results of corpus analytic investigations of children's use of referring expressions and considers possible implications of this work for questions relating to development of theory of mind. The study confirms previous findings that children use the full range of referring forms (definite and indefinite articles, demonstrative determiners, and demonstrative and personal pronouns) appropriately by age 3 or earlier. It also provides support for two distinct stages in mind-reading ability. The first, which is implicit and non-propositional, includes the ability to assess cognitive statuses such as familiarity and focus of attention in relation to the intended referent; the second, which is propositional and more conscious, includes the ability to assess epistemic states such as knowledge and belief. Distinguishing these two stages supports attempts to reconcile seemingly inconsistent results concerning the age at which children develop theory of mind. It also makes it possible to explain why children learn to use forms correctly be-fore they exhibit the pragmatic ability to consider and calculate quantity implicatures.
With the rise of minimalism, many concepts related to the geometrical relations of phrase structure held fast to in earlier approaches have been reconsidered. This article deals with distinguishing (relational and technical) properties of specifiers and adjuncts in a Bare Phrase Structure framework (X'-Theory). I extend specific aspects of X-structure relevant to the discussion of specifiers vs. adjuncts. I argue that unique specifiers can be derived from the system and that adjunction, possibly multiple, results from Direct Merge only. The final product is a series of relationships in line with recent thoughts and minimalist premises, but formally more similar to earlier conceptions of the X'-schema.
I address conceptual, empirical and theoretical arguments against multiple specifiers and related issues next, that is beyond the predictions immediately following from the tripartitional view of clause structure proposed in Grohmann (2000). After laying out my motivations to critically consider the issue, I present a set of data that casts serious doubt over the justifications offered to replace Agr with v as the accusative casemarker. Having conceptual and empirical back-up, I then tackle the theoretical validity of specifiers, and ways to distinguish unique specifiers from (multiple) adjuncts. I introduce a version of Bare Phrase Structure that does so, yet keeps the spirit of defining structural identification over relational rather than categorial properties.
This paper pursues the question what the implications of the Anti-Locality Hypothesis could be for the syntax of secondary predication. Focus of the discussion will be an investigation of what their internal structure of small clause complements must look like, how these small clause complements connect to their matrix environments, and what the relevance could be for the formulation of anti-locality presented here. Anti-locality is defined over a tripartite clause structure (split into three Prolific Domains) and a PF-condition on the computation (the Condition on Domain-Exclusivity). The investigation revolves around two leading questions: (i) does the syntax of small clauses involve more structure than simply [SC DP XP] and (ii) do small clauses constitute their own Prolific Domain (or maybe even more)? The results, affirmative answers to both questions, are also relevant for other types of secondary predication.
The left periphery has enjoyed extensive study over the past years, especially drawn against the framework of Rizzi (1997). It is argued that in this part of the clause, relations are licensed that have direct impact on discourse interpretation and information structure, such as topic, focus, clause type, and the like. I take this line of research up and argue in favour of a split CP on the basis of strictly left-peripheral phenomena across languages. But I also want to link the relation of articulated clause structure, syntactic derivations, and information structure. In particular, I outline the basics of a model of syntactic derivation that makes explicit reference to the interpretive interfaces in a cyclic, dynamic manner.
I suggest a return to older stages of generative grammar, at least in spirit, by proposing that clausal derivation stretches over three important areas which I call prolific domains: the part of the clause which licenses argument/thematic relations (V- or θ-domain), the part that licenses agreement/grammatica1 relations (T- or ϕ-domain), and the part that licenses discourse/information-relevant relations (C- or ω-domain). It is thus a rather broad and conceptual notion of "adding" and "omitting" that I am concerned with here, namely licensing of material to relate to information structure, and the desire to find an answer to the question which elements might be added or omitted across languages to establish such links.
We will see how it is reasonable to speak of a minimum distance that an element must cross in order to enter into a well-formed movement dependency. In the course of the discussion of this notion of anti-localiry, a theoretical framework unfolds which is compatible with recent thoughts on syntactic computation regarding local economy and phrase structure, as well as the view that certain pronouns are grammatical formatives, rather than fully lexical expressions. The upshot will be that if an element does not move a certain distance, the derivation crashes at PF, unless the lower copy is spelled out as a pronominal element. The framework presented has a number of implications for the study of clause-typing, of which some will be discussed towards the end.
We bring experimental considerations to bear on the structure of comparatives and on our understanding of how quantifiers are processed. At issue are mismatches between the standard view of quantifier processing cost and results from speeded verification experiments with comparative quantifiers. We build our case in several steps:
1. We show that the standard view, which attributes processing cost to the verification process, accounts for some aspects of the data, but fails to cover the main effect of monotonicity on measured behavior. We derive a prediction of this view for comparatives, and show that it is not borne out.
2. We consider potential reasons - experimental and theoretical - for this theory-data mismatch.
3. We describe a new processing experiment with comparative quantifiers, designed to address the experimental concerns. Its results still point to the inadequacy of the standard view.
4. We review the semantics of comparative constructions and their potential processing implications. 5. We revise the definition of quantifier processing cost and tie it to the number of Downward Entailing (DE) operators at Logical Form (LF). We show how this definition successfully reconciles the theory-data mismatch. 6. The emerging picture calls for a distinction between the complexity of verified representations and the complexity of the verification process itself.
This paper employs empirical methods to examine verbs such as seem, for which the traditional raising to subject analysis relates pairs of sentences which differ by taking an infinitival or sentential complement. A corpus-driven investigation of the verbs seem and appear demonstrates that information structure and evidentiality both play a determinate role in the choice between infinitival or sentential complementation. The second half of the paper builds upon the corpus results and examines the implications for the standard claims concerning these constructions. First, pairs of sentences related by the subject-to-subject raising analysis of verbs are often viewed as equivalent. New evidence from indefinite generic subjects shows that whether an indefinite generic subject occurs in the infinitival or sentential complement construction leads to truth-conditional differences. Further implications are explored for the claim that subjects of the infinitival variant may take narrow-scope: once various confounds are controlled for, the subject of the infinitival construction is shown to most naturally take wide-scope.
Seit einem Jahrzehnt zählt Russisch zu den häufig gesprochenen Migrationssprachen an deutschen Schulen und rückt nun als weitere Lernersprache in den Fokus der linguistischen Migrationsforschung. Russischsprachige Schüler und Schülerinnen, die als Aussiedler vornehmlich aus Russland und Kasachstan immigrieren, bilden seit Beginn der 90er Jahre die bedeutendste Gruppe jugendlicher Einwanderer nach Deutschland. Aussiedlerjugendliche erhalten zwar in den meisten Fällen kurz nach ihrer Einreise die deutsche Staatsangehörigkeit, diese ist jedoch längst kein Garant mehr für eine reibungslose Integration. Neuere Befunde zeigen, dass eine wachsende Zahl junger AussiedlerInnen aus den GUS-Staaten Gefahr läuft, den Anschluss an eine adäquate schulische und berufliche Ausbildung zu verpassen (vgl. Dietz/Roll 1998, Strobl/Kühnel 2000). Ihre Bildungsbeteiligung hat sich der benachteiligten Bildungssituation anderer Immigrantenjugendlicher angenähert.
One of the most important insights of Optimality Theory (Prince & Smolensky 1993) is that phonological processes can be reduced to the interaction between faithfulness and universal markedness principles. In the most constrained version of the theory, all phonological processes should be thus reducible. This hypothesis is tested by alternations that appear to be phonological but in which universal markedness principles appear to play no role. If we are to pursue the claim that all phonological processes depend on the interaction of faithfulness and markedness, then processes that are not dependent on markedness must lie outside phonology. In this paper I will examine a group of such processes, the initial consonant mutations of the Celtic languages, and argue that they belong entirely to the morphology of the languages, not the phonology.
The phenomenon of phonological opacity has been the subject of much debate in recent years, with scholars opposed to the Optimality Theory (OT) research program arguing that opacity proves OT must be false, while the solutions proposed within OT, such as sympathy theory and stratal OT , have proved to be unsatisfying to many OT proponents, who have found these proposals to be inconsistent with the parallelist approach to phonological processes otherwise characteristic of OT. In this paper I reexamine one of the best known cases of opacity, that found in three processes of Tiberian Hebrew (TH), and argue that these processes only appear to be opaque, because previous analyses have treated them as pure phonology, rather than as an interaction between phonology and morphology. Once it is recognized that certain words of TH are lexically marked to end with a syllabic trochee, and that the goal of paradigm uniformity exerts grammatical pressure on phonology, the three processes no longer present a problem to parallelist OT. The results suggest the possibility that all crosslinguistic instances of apparent opacity can be explained in terms of the phonology-morphology interface and that purely phonological opacity does not exist. If this claim is true, then parallelist OT can be defended against its detractors without the need for additional mechanisms like sympathy theory and stratal OT.
The paper starts with a semantic differentiation between the notions of sentence topic and discourse topic. Sentence topic is conceived of as part of a semantic predication in the sense of Y. Kim's work. Discourse topic is defined, as in N. Asher's Segmented Discourse Representation Theory, as a discourse constituent that comprises the content of (part of) the larger discourse.
The main body of the paper serves to investigate the intricate connection between the two types of topic. For restricting the context of investigation, a specific relation between discourse constituents, Elaboration, is chosen. If Elaboration holds between two discourse constituents, one of them can be identified as the explicit discourse topic with respect to the other one. Whereas an elaborating sentence - with or without a sentence topic - is used to infer a 'dimension' for extending the discourse topic, the role of the sentence topic if it occurs is to mark an 'index' for predication along that dimension. The interaction of elaborating sentences and their topics is modelled by means of channel theoretic devices.'
Internals from elaboration
(2001)
Elaboration or Narration, as so-called discourse relations (or rhetorical relations), are modelled in Segmented Discourse Structure Theory (SDRT) as relations between discourse constituents (or constituents for short). These are either propositions that come into being by interpretation of sentences occurring in a text; the propositions then have the status of DRSes. Or, constituents are compounds of such DRSes, constructed from DRSes (or compounds of them) by discourse relations. Elaboration and Narration in that sense, rather than referring to text types, provide links between constituents that allow them to combine in ways that, for a recipient, a resulting text is coherent and has (some) elaborative or narrative properties.
Ida'an-Begak is a Western Malayo-Polynesian language spoken by approximately 6,000 people on the east coast of Sabah, Malaysia, Borneo and belongs to the Sabahan subgroup of the North Borneo subgroup (Blust 1998). Ida'an-Begak has three dialects, Ida'an, spoken in the villages of Segama to the west of Lahad Datu, Ida'an Sungai spoken in the Kinabatangan and Sandakan districts, and Begak spoken in Ulu Tungku, to the east of Lahad Datu (Banker 1984).1 Moody (1993) deals with Ida'an; this paper concentrates on the Begak dialect. In this paper I will present new data gathered in the field and provide an analysis of the allomorphy. The study is based on spontaneous data as well as examples elicited from my language informants.
When in 1934, Robert BLEICHSTEINER published the Caucasian language specimina contained in the "travel book" of the 17th century Turkish writer Evliya Çelebi , he was struck by the amount of reliability he found in Evliya’s notations: "(Die Sprachproben) sind, von einzelnen Mißverständnissen abgesehen, und wenn man die falschen Punktierungen und Irrtümer der Kopisten abrechnet, außerordentlich gut, ja zuweilen mit einem gewissen phonetischen Geschick wiedergegeben, was der Auffassungsgabe und dem Eifer Evliyas ein hohes Zeugnis ausstellt. Man muß bedenken, wie schwer das arabische Alphabet, ohne weitere Unterscheidungszeichen, wie sie die islamischen Kaukasusvölker anwenden, die verwickelten, oft über 70 verschiedene Phoneme umfassenden Lautsysteme wiederzugeben imstande ist. Wenn trotzdem die Entzifferung der Sprachproben zum größten Teil geglückt ist, so muß man der ungewöhnlichen Begabung des türkischen Reisenden und Gelehrten schrankenlose Bewunderung zollen" (85). ...
Daemonica Irano-Caucasica
(1994)
Eine bedeutende, wenn auch bisher vielfach verkannte Nebenüberlieferung iranischen Sprachguts findet sich in den sog. südkaukasischen oder kartvelischen Sprachen, unter denen das Georgische mit seiner im 5. Jh. einsetzenden, umfangreichen literarischen Bezeugung eine vorrangige Stellung einnimmt. Zu den zahlreichen Iranismen, die im Georgischen fest verankert sind, wird seit geraumer Zeit auch das Wort dev- gerechnet. Bereits Davit Cˇ UBINAŠVILI kennzeichnete das Wort in seinem Georgisch-Russischen Wörterbuch von 1887 als "persisch" ("s˙pars[uli]"); er setzte das Substantiv ("s.") mit dem Wort gveleša˙pi "Drachen, Ungeheuer" gleich und führte weiter aus. ...
Nachdem die Domäne des Computers im universitären Einsatz noch bis vor wenigen Jahren im naturwissenschaftlichen Bereich lag, werden elektronische Verfahren heute mehr und mehr auch in den Geisteswissenschaften angewendet. Das primäre Einsatzgebiet liegt dabei zweifellos in der Textverarbeitung; der Computer erweist sich hier als ein universal einsetzbares Hilfsmittel, das die Gestaltung eines Textes von seiner Konzipierung bis zur Drucklegung in der Hand des Autors ermöglicht und herkömmlichen Verfahren somit überlegen ist. ...
Ihre frühesten Sprachzeugnisse hat uns die keltische Bevölkerung der britischen Inseln bekanntlich in einer Anzahl von Steininschriften hinterlassen, die in der sog. Ogamschrift gehalten sind. Der größte Teil dieser Inschriften, von denen rund 300 hauptsächlich aus Südirland und Wales bekannt sind, wird nach allgemeiner Ansicht in die Zeit zwischen dem 4. oder 5. Jh. und dem 8. Jh. n. Chr. datiert. Bis heute ist weder die Entstehung des eigentümlichen Ogamalphabets, das mit keinem anderen Schriftsystem des gegebenen Zeitraums vergleichbar ist, noch die Bedeutung aller Zeichen eindeutig geklärt. ...
Specifics
(2001)
In all these examples there appears to be mismatch between the position at which an indefinite appears and its preferred interpretation. Following many of the more recent contributions to the literature, I will assume that this is the hallmark of specificity (e.g. Ahusch 1994, Reinhart 1997, Winter 1997, van Geenhoven 1998). Such mismatches are not the norm: indefinites are often interpreted in situ, and there is some reason for taking this to be the default option. The reason is that comparatively 'neutral', i.e. semantically attenuate, indefinites have a preference for in situ readings [...].
This paper investigates the semantic underpinnings of the distinction between two syntactic types of "manner of movement" verbs in Levin (1993), namely the RUN and ROLL classes. According to Levin's (1993) and Levin & Rappaport's (1995) work on unaccusativity, a semantic factor of "internal causation" should be the trigger for the classification of a movement verb as intransitive (=not-unaccusative), and hence for its belonging to the RUN class. We point out empirical problems for this characterisation, mainly coming from the different readings of the German verb fliegen (fly). From a comparison with other semantically similar verbs, we conclude that the semantic description which underlies the class distinction should be refined: instead of "internal causation", the crucial semantic factor is described here as "inherent specification for a momentum of movement". This result indicates that forces, and relations between forces, have to be part of the semantic description of the manner component in movement verbs.
In a recent contribution to a long-standing discussion in semantics as to whether the neo-Davidsonian analysis should be extended to stative predicates or not, Maienborn (2004, 2005) proposes to distinguish two types of statives; one of them is said to have a referential argument of the Davidsonian type, the other not. As one of her arguments for making such a distinction, Maienborn observes that manner modification seems to be supported only by certain statives but to be excluded by others (thus linking the issue to the use of manner modification as one major argument in favour of event semantics, cf. Parsons 1990). In this paper, it is argued that the absence of manner modification with Maienborn's second group of statives is actually due to a failure of conceptual construal: modification of a predicate is ruled out whenever its internal conceptual structure is too poor to provide a construal for the modifier; hence, the effects observed by Maienborn reduce to the fact that eventive predicates have a more complex conceptual substructure than stative ones. Hence, the issue of manner modification with statives is shown to be orthogonal to questions of logical form and event semantics. The explanatory power of the conceptual approach is demonstrated with a case study on predicates of light emission, adapting the representation format of Barsalou's (1992) frame model.
The syntax and semantics of the resumptive dependency in hungarian focus-raising constructions
(2004)
Previous work (Gervain, forthcoming) has established that focus-raising may be derived by two strategies in Hungarian. One of them is the traditional movement derivation, the other a resumptive dependency created between the focus constituent base-generated in its matrix focus position and a phonologically null resumptive pronoun in the corresponding argument position in the embedded clause. However, the previous account (Gervain, forthcoming) does not give a detailed description of the nature of this resumptive dependency. The present work aims to address this question. More specifically, by providing a series of empirical tests, it attempts to determine whether the dependency is purely syntactic in nature, i.e. obligatory variable binding, or whether a semantic option is also available, i.e. coreference between the focus constituent and the resumptive pronoun. Thus, it provides new insights into the ongoing debate about the nature of resumptive pronouns.
The ultimate goal of this paper is to find a representation of modality compatible with some basic conditions on the syntax-semantic interface. Such conditions are anchored, for instance, in Chomsky's (1995) principle of full interpretation (FI). Abstract interpretation of modality is, however - be it "only" in semantic terms - already a hard nut to crack, way too vast to be dealt with in any comprehensive way here. What is pursued instead is a case-study-centered analysis. The case in point are the English modals (EM) viewed in their development through time - a locus classicus for a number of linguistic theories and frameworks. The idea will be to start out from two lines of research - continuous grammaticalization vs. cataclysmic change - and to explain some of their incongruities. The first non-trivial point here consists in deriving more fundamental questions from this research. The second, possibly even less trivial one consists in answering them. Specifically, I will argue that regardless of the actual numerical rate of change, there is an underlying and more structured way to account for the notions of change and continuity within the modal system, respectively.